POSTFLUX LIMITED

Company number 04602289 ·

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Net assets, total assets & total liabilities 2016 – 2025

  • Total assets
  • Net assets
  • Total liabilities
-£250k £0 £250k £500k £750k £1m £1.2m 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Total assets 2016: £1,003,165 Total assets 2017: £1,085,793 Total assets 2018: £1,061,864 Total assets 2019: £1,023,257 Total assets 2020: £975,964 Total assets 2021: £803,593 Total assets 2022: £767,922 Total assets 2023: £768,246 Total assets 2024: £597,937 Total assets 2025: £449,228 Total assets Net assets 2016: £840,554 Net assets 2017: £932,312 Net assets 2018: £907,651 Net assets 2019: £898,806 Net assets 2020: £757,408 Net assets 2021: £617,401 Net assets 2022: £608,872 Net assets 2023: £529,532 Net assets 2024: £420,606 Net assets 2025: £330,190 Net assets Total liabilities 2016: -£162,611 Total liabilities 2017: -£153,481 Total liabilities 2018: -£154,213 Total liabilities 2019: -£120,772 Total liabilities 2020: -£204,233 Total liabilities 2021: -£123,866 Total liabilities 2022: -£102,535 Total liabilities 2023: -£194,551 Total liabilities 2024: -£137,040 Total liabilities 2025: -£90,032 Total liabilities

Figures extracted from filed accounts. Hover a point for the exact value.

Employees 2024 – 2025

0 10 20 30 40 50 2024 2025 2024: 46 2025: 43

Average employees, from filed accounts. Hover a point for the exact figure.

Balance sheet by year 14 years

Latest accounts (2025-03-31): Audit exempt (accountant's report).

Year ending Total assets Total liabilities Net assets Cash Turnover Profit Employees
2025-03-31 £449,228 -£90,032 £330,190 £123,016 43
2024-03-31 £597,937 -£137,040 £420,606 £33,438 46
2023-03-31 £768,246 -£194,551 £529,532 £135,181
2022-03-31 £767,922 -£102,535 £608,872 £166,100
2021-03-31 £803,593 -£123,866 £617,401 £167,582
2020-03-31 £975,964 -£204,233 £757,408 £204,749
2019-03-31 £1,023,257 -£120,772 £898,806 £320,597
2018-03-31 £1,061,864 -£154,213 £907,651 £368,608
2017-03-31 £1,085,793 -£153,481 £932,312 £400,856
2016-03-31 £1,003,165 -£162,611 £840,554 £128,599
2015-03-31 £881,676 -£162,403 £719,273 £611,303
2014-03-31 £717,462 -£170,814 £465,903
2013-03-31 £540,805 -£128,275 £308,248
2012-03-31 £397,625 -£117,041 £246,101

Profit and employee figures are captured from accounts filed from August 2026 onwards, where the accounts disclose them.

Debt & working capital 2025-03-31

Owed by customers
£18,346
Owed to suppliers
£9,180